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  • 基金公司档案
国联基金概况
公司全称 国联基金管理有限公司
英文名称 Guolian Fund Management Co., Ltd.
资产规模 1385.59(亿元)公司属性 中资企业
成立时间 2013-05-31注册资本 75000.00(万元)
法人代表 王瑶总 经 理 闫军
注册地址 深圳市福田区福田街道岗厦社区金田路3086号大百汇广场31层02-04单元
办公地址 北京市东城区安定门外大街208号玖安广场A座11层
邮政编码 100011客服邮箱 services@zrfunds.com.cn
网站地址 www.glfund.com
电话号码 400-160-6000,010-56517299传真号码 010-56517001
经营范围 一般经营项目是:,许可经营项目是:基金募集、基金销售、特定客户资产管理、资产管理和中国证监会许可的其他业务。(依法须经批准的项目,经相关部门批准后方可开展经营活动)
公司简介 国联基金管理有限公司成立于2013年5月,注册资本7.5亿元,国联证券股份有限公司出资占比75.5%;上海融晟投资有限公司出资占比24.5%。国联基金控股股东为国联证券股份有限公司,实际控制人为无锡市国联发展(集团)有限公司。上海融晟投资有限公司持有的国联基金24.5%股权已质押给中融国际信托有限公司。自成立以来,公司不断开拓业务,始终立足于实现客户财富的持续稳健增长的根本使命,贯彻长期投资理念,以卓越而稳健的投资业绩回报投资者的信任。
  • 开放式基金净值
基金代码基金简称2025-04-252025-04-24日增长额日增长率申购赎回
单位净值累计净值单位净值累计净值
003670国联物联网主题A1.39561.39561.38071.38070.01491.08%开放开放
022891国联物联网主题C1.37241.37241.35811.35810.01431.05%开放开放
016815国联国证钢铁行业指数(LOF)C1.10201.10201.09101.09100.01101.01%开放开放
010008国联成长优选混合A0.84150.84150.83440.83440.00710.85%开放开放
010009国联成长优选混合C0.81680.81680.81000.81000.00680.84%开放开放
020749国联智选先锋股票C1.27871.27871.27091.27090.00780.61%开放开放
020748国联智选先锋股票A1.28451.28451.27671.27670.00780.61%开放开放
012850国联低碳经济3个月持有混合A0.74660.74660.74280.74280.00380.51%开放开放
012851国联低碳经济3个月持有混合C0.73010.73010.72640.72640.00370.51%开放开放
021051国联中证500指数增强A1.17361.17361.16781.16780.00580.50%开放开放
021052国联中证500指数增强C1.17001.17001.16431.16430.00570.49%开放开放
001261国联新机遇混合A0.57900.57900.57700.57700.00200.35%开放开放
021943国联新机遇混合C0.57900.57900.57700.57700.00200.35%开放开放
007886国联中证500ETF联接C0.96251.13060.95931.12740.00320.33%开放开放
007885国联中证500ETF联接A0.96311.14220.95991.13900.00320.33%开放开放
004671国联核心成长1.84321.84321.83791.83790.00530.29%开放开放
006123国联高股息混合A1.07451.28751.07241.28540.00210.20%开放开放
006124国联高股息混合C1.07021.23221.06821.23020.00200.19%开放开放
022310国联沪深300指数增强C1.01221.01221.01041.01040.00180.18%开放开放
022309国联沪深300指数增强A1.01391.01391.01211.01210.00180.18%开放开放
013659国联金融鑫选3个月持有混合A0.95560.95560.95400.95400.00160.17%开放开放
013660国联金融鑫选3个月持有混合C0.93540.93540.93390.93390.00150.16%开放开放
008848国联智选对冲3个月定开混合0.95890.95890.95810.95810.00080.08%暂停暂停
008423国联研发创新混合C0.96440.96440.96370.96370.00070.07%开放开放
008422国联研发创新混合A0.98060.98060.97990.97990.00070.07%开放开放
009348国联价值成长6个月持有混合C0.62190.62190.62150.62150.00040.06%开放开放
009347国联价值成长6个月持有混合A0.64580.64580.64540.64540.00040.06%开放开放
017830国联泓安3个月定开债券A1.00781.05481.00741.05440.00040.04%暂停暂停
010367国联景瑞一年持有混合A1.02401.02401.02361.02360.00040.04%开放开放
015478国联融盛双盈债券C1.07811.07811.07771.07770.00040.04%开放开放
010368国联景瑞一年持有混合C1.00601.00601.00571.00570.00030.03%开放开放
017831国联泓安3个月定开债券C1.00701.05301.00671.05270.00030.03%暂停暂停
018261国联融誉双华6个月持有债券C1.05001.05001.04971.04970.00030.03%开放开放
015477国联融盛双盈债券A1.08691.08691.08661.08660.00030.03%开放开放
014258国联恒泽纯债C1.11641.14141.11611.14110.00030.03%开放开放
003927国联恒信纯债C1.02021.30471.02001.30450.00020.02%限大额开放
003013国联恒泰纯债A1.02391.31651.02371.31630.00020.02%限大额开放
021337国联恒泰纯债B1.02391.09441.02371.09420.00020.02%限大额开放
003014国联恒泰纯债C1.03181.31441.03161.31420.00020.02%限大额开放
018260国联融誉双华6个月持有债券A1.05491.05491.05471.05470.00020.02%开放开放
014257国联恒泽纯债A1.07001.09501.06981.09480.00020.02%开放开放
011311国联恒阳纯债C1.07221.10721.07201.10700.00020.02%开放开放
008797国联恒安纯债C1.08271.14571.08251.14550.00020.02%开放开放
022242国联恒安纯债E1.08631.08631.08611.08610.00020.02%开放开放
011310国联恒阳纯债A1.08761.12261.08741.12240.00020.02%开放开放
008796国联恒安纯债A1.08771.16071.08751.16050.00020.02%开放开放
022241国联恒安纯债B1.08851.08851.08831.08830.00020.02%开放开放
001414国联鑫起点混合C0.93090.98090.93080.98080.00010.01%开放开放
001413国联鑫起点混合A0.99541.04540.99531.04530.00010.01%开放开放
021335国联利率债A1.01231.02731.01221.02720.00010.01%开放开放
021336国联利率债C1.01411.02011.01401.02000.00010.01%开放开放
003926国联恒信纯债A1.02411.32711.02401.32700.00010.01%限大额开放
009529国联中债1-5年国开行A1.03591.18091.03581.18080.00010.01%开放开放
009530国联中债1-5年国开行C1.03601.17601.03591.17590.00010.01%开放开放
008047国联睿嘉39个月定开债券C1.03711.15711.03701.15700.00010.01%暂停暂停
013191国联景惠混合C1.03891.03891.03881.03880.00010.01%开放开放
011354国联景盛一年持有混合C1.04401.04401.04391.04390.00010.01%开放开放
005361国联聚商定期开放债券1.04421.27371.04411.27360.00010.01%暂停暂停
013190国联景惠混合A1.05301.05301.05291.05290.00010.01%开放开放
016190国联恒通纯债C1.05331.09831.05321.09820.00010.01%开放开放
011353国联景盛一年持有混合A1.06071.06071.06061.06060.00010.01%开放开放
007175国联聚通定期开放债券1.08441.23891.08431.23880.00010.01%暂停暂停
015479国联益泓90天滚动持有债券A1.10651.10651.10641.10640.00010.01%开放开放
005714国联季季红定期开放债券C1.10821.26221.10811.26210.00010.01%暂停暂停
020343国联季季红定期开放债券E1.12551.12551.12541.12540.00010.01%暂停暂停
005713国联季季红定期开放债券A1.13001.28401.12991.28390.00010.01%暂停暂停
006036国联恒惠纯债C1.15751.23551.15741.23540.00010.01%暂停开放
005723国联聚安定期开放债券1.19041.30041.19031.30030.00010.01%暂停暂停
019812国联盈泽中短债E1.26581.26581.26571.26570.00010.01%限大额开放
022254国联盈泽中短债B1.27101.27101.27091.27090.00010.01%限大额开放
001701国联产业升级混合1.44601.97601.44601.97600.00000.00%开放开放
003009国联盈泽中短债A1.27011.46221.27011.46220.00000.00%开放开放
003010国联盈泽中短债C1.24961.44171.24961.44170.00000.00%限大额开放
003071国联睿祥纯债A1.20151.36651.20151.36650.00000.00%限大额开放
003072国联睿祥纯债C1.17931.34211.17931.34210.00000.00%限大额开放
003081国联银行间1-3年中高等级信用债指数A1.14021.26521.14021.26520.00000.00%限大额开放
003082国联银行间1-3年中高等级信用债指数C1.11131.23631.11131.23630.00000.00%限大额开放
005931国联恒裕纯债A1.01111.21781.01111.21780.00000.00%暂停开放
005932国联恒裕纯债C1.02031.20131.02031.20130.00000.00%暂停开放
006035国联恒惠纯债A1.15861.23661.15861.23660.00000.00%暂停开放
007560国联恒鑫纯债A1.05231.20831.05231.20830.00000.00%开放开放
007561国联恒鑫纯债C1.04971.19471.04971.19470.00000.00%开放开放
008046国联睿嘉39个月定开债券A1.03981.16281.03981.16280.00000.00%暂停暂停
012803国联聚优一年定开债券1.05101.11761.05101.11760.00000.00%暂停暂停
014655国联益海30天滚动持有短债A1.09831.09831.09831.09830.00000.00%开放开放
014656国联益海30天滚动持有短债C1.09151.09151.09151.09150.00000.00%开放开放
015480国联益泓90天滚动持有债券C1.10001.10001.10001.10000.00000.00%开放开放
016189国联恒通纯债A1.06151.10651.06151.10650.00000.00%开放开放
016684国联中证同业存单AAA指数7天持有1.05321.05321.05321.05320.00000.00%限大额开放
016955国联恒润纯债A1.02701.07401.02701.07400.00000.00%开放开放
016956国联恒润纯债C1.02001.06701.02001.06700.00000.00%开放开放
019128国联恒惠纯债E1.11571.11571.11571.11570.00000.00%暂停开放
019955国联中债0-3年政金债指数A1.03861.04861.03861.04860.00000.00%开放开放
019956国联中债0-3年政金债指数C1.04191.05191.04191.05190.00000.00%开放开放
020127国联恒裕纯债E1.02271.06521.02271.06520.00000.00%暂停开放
020215国联中债1-5年国开行B1.03501.12501.03501.12500.00000.00%开放开放
020935国联益诚30天持有债券发起式A1.02311.02311.02311.02310.00000.00%开放开放
020936国联益诚30天持有债券发起式C1.02121.02121.02121.02120.00000.00%开放开放
021705国联银行间1-3年中高等级信用债指数B1.13981.13981.13981.13980.00000.00%限大额开放
021706国联银行间1-3年中高等级信用债指数E1.13681.13681.13681.13680.00000.00%限大额开放
012291国联恒益纯债C1.24461.27961.24471.2797-0.0001-0.01%暂停开放
006706国联聚汇定期开放债券1.16041.18041.16051.1805-0.0001-0.01%暂停暂停
018964国联恒鑫纯债E1.11631.11631.11641.1164-0.0001-0.01%开放开放
012290国联恒益纯债A1.10071.13571.10081.1358-0.0001-0.01%暂停开放
013716国联恒利纯债A1.07481.12381.07491.1239-0.0001-0.01%限大额开放
005637国联聚业定期开放债券1.06781.33461.06791.3347-0.0001-0.01%暂停开放
013717国联恒利纯债C1.06271.11171.06281.1118-0.0001-0.01%限大额开放
008508国联聚锦一年定开债券1.03101.21601.03111.2161-0.0001-0.01%暂停暂停
004837国联鑫价值混合C0.90890.90890.90900.9090-0.0001-0.01%开放开放
009675国联融慧双欣一年定开债券A1.11531.15531.11551.1555-0.0002-0.02%暂停暂停
009676国联融慧双欣一年定开债券C1.09391.13391.09411.1341-0.0002-0.02%暂停暂停
006120国联聚明定期开放债券1.04251.26891.04271.2691-0.0002-0.02%暂停暂停
004836国联鑫价值混合A0.97890.97890.97910.9791-0.0002-0.02%开放开放
010684国联景颐6个月持有混合C0.93680.93680.93700.9370-0.0002-0.02%开放开放
010683国联景颐6个月持有混合A0.95280.95280.95310.9531-0.0003-0.03%开放开放
001387国联新经济混合A2.98603.56402.98703.5650-0.0010-0.03%开放开放
012667国联景泓一年持有混合A0.99870.99870.99910.9991-0.0004-0.04%开放开放
012668国联景泓一年持有混合C0.99140.99140.99190.9919-0.0005-0.05%开放开放
001388国联新经济混合C1.79801.94401.79901.9450-0.0010-0.06%开放开放
005569国联智选红利股票A0.96270.96270.96370.9637-0.0010-0.10%开放开放
005570国联智选红利股票C0.93060.93060.93160.9316-0.0010-0.11%开放开放
004009国联鑫思路混合C1.59932.23231.60122.2342-0.0019-0.12%开放开放
004008国联鑫思路混合A1.64792.28091.64992.2829-0.0020-0.12%开放开放
019150国联国企改革混合C1.94701.94701.95001.9500-0.0030-0.15%开放开放
010698国联行业先锋6个月持有混合C0.86360.86360.86530.8653-0.0017-0.20%开放开放
010697国联行业先锋6个月持有混合A0.89300.89300.89480.8948-0.0018-0.20%开放开放
000928国联国企改革混合A1.95301.95301.95701.9570-0.0040-0.20%开放开放
013916国联成长先锋一年持有混合A0.71100.71100.71250.7125-0.0015-0.21%开放开放
013917国联成长先锋一年持有混合C0.69400.69400.69550.6955-0.0015-0.22%开放开放
005142国联沪港深大消费主题A0.76750.76750.76930.7693-0.0018-0.23%开放开放
005143国联沪港深大消费主题C0.75670.75670.75850.7585-0.0018-0.24%开放开放
012523国联高质量成长混合A0.66160.66160.66320.6632-0.0016-0.24%开放开放
012524国联高质量成长混合C0.65030.65030.65190.6519-0.0016-0.25%开放开放
014961国联兴鸿优选混合A0.74580.74580.74780.7478-0.0020-0.27%开放开放
014962国联兴鸿优选混合C0.73570.73570.73770.7377-0.0020-0.27%开放开放
006241国联医疗健康混合C1.13841.13841.14151.1415-0.0031-0.27%开放开放
006240国联医疗健康混合A1.16381.16381.16701.1670-0.0032-0.27%开放开放
006743国联央视财经50ETF联接A1.40821.40821.41231.4123-0.0041-0.29%开放开放
006744国联央视财经50ETF联接C1.38341.38341.38751.3875-0.0041-0.30%开放开放
010987国联鑫锐精选一年持有混合A0.73550.73550.73770.7377-0.0022-0.30%开放开放
014330国联优势产业混合C1.00771.00771.01091.0109-0.0032-0.32%开放开放
010988国联鑫锐精选一年持有混合C0.71830.71830.72060.7206-0.0023-0.32%开放开放
014329国联优势产业混合A1.02631.02631.02961.0296-0.0033-0.32%开放开放
018338国联消费精选混合A0.94510.94510.94920.9492-0.0041-0.43%开放开放
018339国联消费精选混合C0.93780.93780.94190.9419-0.0041-0.44%开放开放
013562国联匠心优选混合C0.76030.76030.76370.7637-0.0034-0.45%开放开放
013561国联匠心优选混合A0.78180.78180.78530.7853-0.0035-0.45%开放开放
003145国联竞争优势1.70301.70301.71271.7127-0.0097-0.57%开放开放
008425国联品牌优选混合C0.72680.72680.73100.7310-0.0042-0.57%开放开放
008424国联品牌优选混合A0.75910.75910.76350.7635-0.0044-0.58%开放开放
006315国联策略优选混合C1.81432.21631.82542.2274-0.0111-0.61%开放开放
006314国联策略优选混合A1.86182.27281.87322.2842-0.0114-0.61%开放开放
016814国联中证煤炭指数(LOF)C1.59701.59701.60701.6070-0.0100-0.62%开放开放
015032国联医药消费混合A0.82590.82590.83380.8338-0.0079-0.95%开放开放
015033国联医药消费混合C0.81300.81300.82080.8208-0.0078-0.95%开放开放
008048国联睿享86个月定开债券A1.05671.2187--------暂停暂停
008049国联睿享86个月定开债券C1.05061.2126--------暂停暂停
015639国联养老目标日期2045三年持有混合发起(FOF)------------开放暂停
015962国联添安稳健养老目标一年持有混合(FOF)A------------开放开放
018720国联添安稳健养老目标一年持有混合(FOF)Y------------开放开放
  • 货币式基金净值
基金代码基金简称2025-04-252025-04-24近一个月近三个月近半年今年以来
万份收益7日年化万份收益7日年化
003679国联现金增利货币C0.44221.6530%0.44771.6600%0.14%0.42%0.87%0.54%
000846国联货币C0.43051.6110%0.43051.6180%0.14%0.42%0.87%0.54%
004869国联日盈B0.42161.5540%0.42191.5540%0.14%0.42%0.88%0.55%
003678国联现金增利货币A0.38331.3900%0.33581.4050%0.12%0.36%0.74%0.46%
003075国联货币E0.36511.3670%0.36411.3730%0.12%0.36%0.75%0.46%
019040国联日盈C0.36931.3610%0.36941.3610%0.12%0.38%0.79%0.49%
000847国联货币A0.36271.3520%0.33351.3770%0.12%0.36%0.75%0.46%
511930国联日盈货币ETF35.58001.3110%35.61001.3100%0.12%0.36%0.76%0.48%
  • 封闭式基金
基金代码基金简称2025-04-252025-04-24日增长额日增长率最新价折溢价率
单位净值累计净值单位净值累计净值
168203钢铁LOF1.11001.11001.09901.09900.01101.00%----
515550国联中证500ETF1.23911.23911.23461.23460.00450.36%----
159390国联中证A50ETF1.04291.05141.04181.05030.00110.11%----
159965国联央视财经50ETF1.44371.44371.44841.4484-0.0047-0.32%----
168204煤炭LOF1.60801.60801.61801.6180-0.0100-0.62%----
  • 股票持仓
截止日期:2025-03-31
股票代码股票名称持股数(万股)持仓市值(万元)占总净值比例
000719中原传媒1470.9416636.330.12%
601369陕鼓动力1059.279310.990.07%
600757长江传媒1050.099104.280.07%
600483福能股份895.218253.860.06%
603766隆鑫通用700.058085.600.06%
000725京东方A1922.007976.300.06%
688425铁建重工1805.857656.790.06%
300972万辰集团80.767279.160.05%
688200华峰测控41.876005.680.04%
600690海尔智家217.205938.250.04%
000100TCL科技1183.505266.580.04%
002906华阳集团147.955225.630.04%
605589圣泉集团177.275018.510.04%
601088中国神华122.504697.880.03%
601225陕西煤业232.464605.030.03%
000935四川双马271.694325.370.03%
688608恒玄科技10.364209.920.03%
002241歌尔股份155.924075.750.03%
600519贵州茅台2.383712.680.03%
300750宁德时代14.053553.120.03%
600576祥源文旅384.093514.420.03%
000333美的集团43.563419.460.02%
002126银轮股份118.843283.550.02%
600188兖矿能源238.763180.280.02%
300679电连技术55.623163.110.02%
688041海光信息22.133127.460.02%
300203聚光科技187.663105.770.02%
601988中国银行517.402897.440.02%
601100恒立液压35.062788.670.02%
002311海大集团53.942694.110.02%
600019宝钢股份362.322608.700.02%
000983山西焦煤376.132584.010.02%
601898中煤能源242.542435.100.02%
003010若羽臣52.172294.440.02%
600010包钢股份1216.132176.870.02%
300662科锐国际60.772102.640.02%
000951中国重汽100.602030.110.01%
300416苏试试验114.291960.070.01%
601699潞安环能158.551907.360.01%
600985淮北矿业142.731862.630.01%
600036招商银行42.511840.260.01%
002911佛燃能源160.651818.610.01%
300693盛弘股份51.481817.240.01%
000723美锦能源401.211805.460.01%
600269赣粤高速346.311780.030.01%
600020中原高速402.821772.430.01%
600015华夏银行226.341772.240.01%
600098广州发展277.121765.250.01%
002831裕同科技69.261748.820.01%
601818光大银行452.641710.980.01%
000895双汇发展62.961698.000.01%
601666平煤股份196.761692.140.01%
603053成都燃气177.391665.720.01%
002690美亚光电95.661665.530.01%
600348华阳股份238.971610.660.01%
603596伯特利24.871553.130.01%
002106莱宝高科131.681449.800.01%
603606东方电缆28.961410.350.01%
601166兴业银行56.161213.060.01%
601318中国平安22.841179.230.01%
600276恒瑞医药23.881175.040.01%
000932华菱钢铁228.511137.980.01%
600900长江电力37.761050.110.01%
600039四川路桥124.28986.780.01%
002318久立特材36.77921.460.01%
600126杭钢股份73.71874.200.01%
600660福耀玻璃14.80866.840.01%
002061浙江交科219.82855.100.01%
600030中信证券31.99848.370.01%
605599菜百股份69.74822.930.01%
600976健民集团17.24776.320.01%
000776广发证券41.15663.340.00%
600887伊利股份23.29653.870.00%
600282南钢股份140.01645.450.00%
002517恺英网络39.91640.950.00%
601288农业银行120.26622.950.00%
688266泽璟制药6.22620.470.00%
601398工商银行89.13614.110.00%
000708中信特钢49.70613.800.00%
603529爱玛科技13.28589.370.00%
002075沙钢股份97.93561.140.00%
600535天士力33.31503.310.00%
000709河钢股份228.02501.640.00%
000778新兴铸管144.41499.660.00%
603193润本股份13.87473.860.00%
300558贝达药业9.19470.800.00%
002558巨人网络33.04465.200.00%
000596古井贡酒2.69457.970.00%
688131皓元医药11.11452.140.00%
600027华电国际78.34450.460.00%
002755奥赛康24.72446.940.00%
688428诺诚健华23.38437.350.00%
688192迪哲医药8.83432.480.00%
688382益方生物22.33426.210.00%
000963华东医药11.29414.340.00%
688271联影医疗3.27399.410.00%
002138顺络电子13.82399.120.00%
688236春立医疗29.16395.400.00%
601899紫金矿业21.07381.790.00%
603279景津装备20.91361.320.00%
601963重庆银行36.95358.780.00%
603337杰克股份10.90353.700.00%
605080浙江自然10.54339.260.00%
688772珠海冠宇20.38336.000.00%
688076诺泰生物5.69335.830.00%
002847盐津铺子4.96314.320.00%
605116奥锐特14.44313.060.00%
600298安琪酵母8.53294.630.00%
688518联赢激光17.93291.050.00%
603977国泰集团22.40286.720.00%
688981中芯国际3.15281.230.00%
603697有友食品28.92280.810.00%
601328交通银行36.93275.130.00%
601816京沪高铁47.89266.750.00%
603983丸美生物7.36263.860.00%
001328登康口腔6.09255.780.00%
002415海康威视8.18251.120.00%
601077渝农商行39.04237.360.00%
300628亿联网络5.75234.770.00%
601886江河集团36.95226.500.00%
300687赛意信息6.46210.920.00%
300124汇川技术3.03206.510.00%
002966苏州银行25.25198.970.00%
600008首创环保61.27191.160.00%
000966长源电力40.85189.950.00%
300170汉得信息9.25180.190.00%
000039中集集团19.98175.620.00%
601633长城汽车6.66173.830.00%
600588用友网络11.45172.440.00%
002315焦点科技3.98171.300.00%
300857协创数据1.46170.310.00%
601998中信银行22.90162.800.00%
300378鼎捷数智3.85149.570.00%
603171税友股份3.27148.980.00%
600648外高桥12.36144.860.00%
603558健盛集团14.46141.710.00%
600196复星医药5.69141.280.00%
000777中核科技8.18140.290.00%
600988赤峰黄金5.95136.260.00%
600312平高电气7.71134.390.00%
000568泸州老窖1.00129.720.00%
601717郑煤机7.95126.010.00%
002625光启技术3.12117.970.00%
000408藏格矿业3.08110.390.00%
600418江淮汽车2.86102.960.00%
000877天山股份18.33101.730.00%
601211国泰海通5.8199.930.00%
002384东山精密2.9395.930.00%
601966玲珑轮胎3.6364.400.00%
600616金枫酒业10.8157.400.00%
605020永和股份2.4254.930.00%
000975山金国际2.6851.460.00%
603198迎驾贡酒0.9551.410.00%
000554泰山石油8.3651.250.00%
688777中控技术0.9449.900.00%
688550瑞联新材1.2649.320.00%
300207欣旺达2.2148.970.00%
002594比亚迪0.1348.740.00%
002273水晶光电2.1148.320.00%
601555东吴证券6.0547.190.00%
002961瑞达期货2.8646.560.00%
600879航天电子5.1345.910.00%
603699纽威股份1.6445.640.00%
002967广电计量2.1345.430.00%
601168西部矿业2.6444.910.00%
600968海油发展10.9143.860.00%
688578艾力斯0.5143.840.00%
600547山东黄金1.6043.010.00%
300476胜宏科技0.5141.320.00%
600489中金黄金2.6937.850.00%
002155湖南黄金1.5836.130.00%
300339润和软件0.6734.790.00%
603369今世缘0.6434.110.00%
000988华工科技0.8334.100.00%
600839四川长虹3.1432.250.00%
600157永泰能源22.0731.780.00%
002195岩山科技5.4430.140.00%
688111金山办公0.1029.130.00%
002818富森美1.9827.880.00%
601728中国电信3.2825.750.00%
300308中际旭创0.2625.650.00%
600028中国石化4.0022.920.00%
300627华测导航0.5221.500.00%
600160巨化股份0.8721.500.00%
301526国际复材6.2821.230.00%
300659中孚信息1.3021.120.00%
600894广日股份1.7320.810.00%
002371北方华创0.0520.800.00%
600177雅戈尔2.4319.610.00%
603565中谷物流2.0119.200.00%
601187厦门银行3.0918.200.00%
601222林洋能源2.7418.030.00%
688235百济神州0.0717.720.00%
601009南京银行1.7017.560.00%
600919江苏银行1.8317.380.00%
000001平安银行1.5016.890.00%
601939建设银行1.9016.780.00%
688582芯动联科0.2716.460.00%
601083锦江航运1.7316.420.00%
002948青岛银行3.8716.330.00%
300303聚飞光电2.5516.270.00%
000543皖能电力2.1816.260.00%
300001特锐德0.6716.230.00%
002405四维图新1.8516.210.00%
600596新安股份1.9115.910.00%
600674川投能源0.386.100.00%
002067景兴纸业1.545.840.00%
002668TCL智家0.303.480.00%
603257中国瑞林0.153.030.00%
002340格林美0.402.610.00%
301522上大股份0.072.540.00%
301602超研股份0.071.690.00%
301613新铝时代0.021.460.00%
301601惠通科技0.031.220.00%
300442润泽科技0.021.140.00%
603072天和磁材0.020.980.00%
603395红四方0.020.710.00%
603207小方制药0.020.540.00%
603271永杰新材0.010.500.00%
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